VIRTUS REAL ESTATE SECURITIES FUND CLASS A(PHRAX) USD 19.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.084USD0.084282023-03-16
202210.91%USD 2.083USD1.882562022-12-22
USD0.074552022-09-22
USD0.055422022-06-16
USD0.070732022-03-17
20216.59%USD 1.258USD0.932492021-12-22
USD0.060972021-09-22
USD0.079452021-06-22
USD0.184672021-03-23
20205.90%USD 1.127USD0.875262020-12-22
USD0.067562020-09-22
USD0.093012020-06-22
USD0.091312020-03-23
201924.41%USD 4.66USD4.284342019-12-20
USD0.057072019-09-20
USD0.174632019-06-20
USD0.144332019-03-21
201820.87%USD 3.984USD3.762282018-12-17
USD0.071242018-09-20
USD0.071122018-06-21
USD0.079522018-03-21
201725.85%USD 4.934USD4.5142017-12-20
USD0.142017-09-21
USD0.142017-06-22
USD0.142017-03-23
201633.24%USD 6.345USD5.9252016-12-21
USD0.142016-09-22
USD0.142016-06-22
USD0.142016-03-22
201535.80%USD 6.834USD6.4342015-12-22
USD0.142015-09-22
USD0.1352015-06-22
USD0.1252015-03-23
201412.56%USD 2.397USD2.0672014-12-22
USD0.112014-09-22
USD0.112014-06-20
USD0.112014-03-21
201313.42%USD 2.562USD2.2782013-12-20
USD0.0842013-09-20
USD0.12013-06-20
USD0.12013-03-20
20121.65%USD 0.315USD0.0712012-12-20
USD0.0952012-09-20
USD0.092012-06-21
USD0.0592012-03-22
20111.39%USD 0.266USD0.0642011-12-21
USD0.072011-09-22
USD0.0662011-06-22
USD0.0662011-03-23
20101.71%USD 0.327USD0.082010-12-22
USD0.0472010-09-22
USD0.082010-06-22
USD0.122010-03-23
20092.27%USD 0.434USD0.0832009-12-22
USD0.0622009-09-22
USD0.0952009-06-22
USD0.1942009-03-23
20082.38%USD 0.455USD0.1092008-12-22
USD0.0952008-09-22
USD0.092008-06-20
USD0.1612008-03-20
20071.91%USD 0.364USD0.1212007-12-20
USD0.0642007-09-20
USD0.0562007-06-21
USD0.1232007-03-22
20061.50%USD 0.287USD0.0752006-12-20
USD0.0622006-09-21
USD0.052006-06-22
USD0.12006-03-23
20052.36%USD 0.451USD0.1532005-12-21
USD0.1072005-09-22
USD0.0912005-06-22
USD0.12005-03-22
20042.38%USD 0.455USD0.1252004-12-22
USD0.112004-09-22
USD0.112004-06-22
USD0.112004-03-23
20033.35%USD 0.639USD0.1662003-12-22
USD0.1632003-09-22
USD0.162003-06-20
USD0.152003-03-21
20023.12%USD 0.596USD0.1422002-12-20
USD0.1552002-09-20
USD0.1582002-06-20
USD0.1412002-03-20
20012.91%USD 0.555USD0.2252001-12-20
USD0.172001-09-20
USD0.082001-06-21
USD0.082001-03-22
20002.16%USD 0.412USD0.2522000-12-20
USD0.052000-09-21
USD0.052000-06-22
USD0.062000-03-23